TUI AG

FSX:TUI1.DE

6.438 (EUR) • At close September 18, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) EUR.

20232022202120202019201820172016201520142013201220112010200820072006200520042003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,060.31,736.91,074.9909.11,538.42,5482,516.12,072.91,672.72,2862,701.72,278.41,881.32,174.31,945.51,414688.7599.2481.1348.5
Kortetermijnbeleggingen 48.685.812.114.931.118.7-476.9265.8334.9300-371.7-384.1003.913.75.8-299.7-319.6-461
Liquide middelen en kortetermijnbeleggingen 2,108.91,822.71,0879241,569.52,5482,516.12,338.72,007.62,5862,701.72,278.41,881.32,174.31,949.41,427.7694.5599.2481.1348.5
Nettovorderingen 2,245.61,889.71,6971,582.82,497.8661.6745.52,677.12,059.52,304.61,655.91,788.92,131.62,738.46,985.92,880.11,866.22,430.11,448.91,786.3
Voorraad 62.156.142.873.2114.7118.5110.2105.2134.5126.5115.4113.9106.789.597208.7129.3150.4357.1313.9
Overige vlottende activa 129.9135.3106.5113.4131.5880.61,691.6205.1270.9361.9335.5363.2264.7256.6333.6280.1182.8283.9273.7269.1
Totaal vlottende activa 4,546.53,903.82,933.32,693.44,313.54,929.74,317.95,326.14,472.55,3794,808.54,544.44,384.35,258.89,365.94,796.62,872.83,463.62,560.82,717.8
Niet-vlottende activa:
Materiële vaste activa, netto 6,243.76,372.46,168.56,690.45,840.44,898.84,253.33,714.53,629.62,836.62,6822,651.32,445.12,499.82,699.25,706.25,145.75,8814,481.94,734.7
Goodwill 2,949.22,970.62,993.12,914.52,985.82,958.62,889.52,853.53,220.43,136.22,976.43,046.42,907.22,862.62,514.13,058.33,134.83,756.43,763.83,807.9
Immateriële activa 538507.6498.6553.5710.6569.9548.1545.8911.5933.5866.2890.9856.6907.2805.91,373.8604.9898.5178.1198.6
Goodwill en immateriële activa 3,487.23,478.23,491.73,4683,696.43,528.53,437.63,399.34,131.94,069.73,842.63,937.33,763.83,769.83,3204,432.13,739.74,654.93,941.94,006.5
Langetermijnbeleggingen 1,160.4710.2640.71,182.41,519.51,535.61,852.6965.4799.1750.71,829.61,853.600486.5635.2519.2995.11,072.61,258.6
Belastingvorderingen 310.6222291.1299.6202225.7323.7344.7330.7238.1224.6168.7163.5133.6218.9192.3275.6299.4233188.3
Overige niet-vlottende activa 404568.9630.31,007.4699.1493.50.4707.9722.7752.16757.32,735.22,953.5614.9541.846134.429.183.3
Totaal niet-vlottende activa 11,605.911,351.711,222.312,647.811,957.410,682.19,867.69,131.89,6148,647.28,645.88,668.29,107.69,356.77,339.511,507.610,141.211,864.89,758.510,271.4
Totaal activa 16,152.415,255.514,155.715,341.116,270.915,611.814,185.514,457.914,086.514,026.213,454.313,212.613,491.914,615.516,705.416,304.213,01415,328.412,319.312,989.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,373.73,316.52,052.41,611.52,873.92,937.32,653.32,476.93,224.23,301.23,049.23,2602,973.52,847.41,934.12,6791,958.42,103.71,844.62,036.6
Kortlopende schulden 784.6992.3884.4687.3205.4169.3142.4460.3143.1133.6858.8574.3392.41,571.7837.5700319.41,117.13731,421.8
Belastingschulden 177.3132.977.582.4119134.291.9223.8120.8149.8167.3149.323830.341.741.1129.852.877.4214.9
Uitgestelde opbrengsten 4,581.63,057.4923,731.33,572.84,134.82,903.63,499.64,090.74,126.73,8653,468.23,370.93,267.22,986.45,668.82,848.72,315.42,344.52,180.82,282.4
Overige kortlopende verplichtingen 1371,376.408195.5447.7140.9877.5239.4192.4205215.5223.9167.6142.8220.7225.5145.8148.9146.4165.8277.3
Totaal kortlopende verplichtingen 8,876.98,742.76,863.66,319.37,3556,887.76,534.77,220.37,6997,515.37,600.17,372.86,775.97,626.28,665.96,373.54,742.15,711.74,564.26,018.1
Langlopende verplichtingen:
Langetermijnschulden 3,3954,178.35,599.12,712.62,457.62,250.71,761.21,503.31,639.91,747.41,820.61,794.82,317.72,824.23,9334,688.83,409.43,194.63,307.72,689.8
Uitgestelde opbrengsten niet-vlottend 222.9136.9166.9168.568.764.883.473.188.756.535.217.841.143.627.63312.413.262.981.3
Uitgestelde belastingverplichtingen niet-vlottend 159121.2123.3192.7233.5184.510962.9125.7147.376.6177.8237.9194.7431.7501.8237.1293.4341.7329.1
Overige niet-vlottende verplichtingen 1,551.41,430.71,821.35,729.91,990.81,890.52,163.52,350.12,115.92,042.61,892.41,782.31,571.51,492.61,403.91,582.91,602.71,740.31,051.91,104
Totaal niet-vlottende verplichtingen 5,328.35,867.17,710.68,803.74,750.64,390.54,117.13,989.43,970.23,993.83,824.83,772.74,168.24,555.15,796.26,806.55,261.65,241.54,764.24,204.2
Totaal passiva 14,205.214,609.814,574.215,12312,105.611,278.210,651.811,209.711,669.211,509.111,424.911,145.510,944.112,181.314,462.113,18010,003.710,953.29,328.410,222.3
Eigen vermogen:
Preferente aandelen 8,481.99715,417.74114,736.54610,852.0962,259.0992,062.61,562.52,215.32,460.400000000000
Gewone aandelen 507.41,785.21,099.41,509.41,505.81,502.91,501.61,500.71,499.6732.6645.2644.9643.5643.1642.8642.3641.7641457456.2
Ingehouden winsten -7,548.183-7,410.3-7,301.9-4,683.3-1,171.4-1,156.3-1,562.5-2,215.3-2,460.41,049.6897843.6000000138137.8
Overige gereserveerde algehele resultaten -933.814-8,007.441-7,434.646-6,168.796-1,087.7-906.3-2,360.9-2,190.4-2,390.7-2,208.3-2,062.5-2,454.4-2,387.10-2,110.1-4,292.7-3,812.3-3,872.9-3,802.3-4,209.5
Overige totale aandeelhoudersvermogen 615.5-1,926.8-2,185.2-1,957.81,948.12,195.23,7993,364.82,804.52,831.52,569.33,048.24,213.61,697.83,404.86,477.25,905.47,344.95,960.46,097.3
Totaal eigen vermogen van aandeelhouders 1,122.9-141.6-1,085.8-448.43,453.93,698.12,939.72,675.11,913.42,405.42,0492,082.32,4702,340.91,937.52,826.82,734.84,1132,753.12,481.8
Totaal eigen vermogen 1,947.2645.7-418.5218.14,165.34,333.63,533.73,248.22,417.32,517.12,029.42,067.12,547.82,434.22,243.33,124.23,010.34,375.22,990.92,766.9
Totaal passiva en aandeelhoudersvermogen 16,152.415,255.514,155.715,341.116,270.915,611.814,185.514,457.914,086.514,026.213,454.313,212.613,491.914,615.516,705.416,304.213,01415,328.412,319.312,989.2